Financials
Value 20212022202320242025 TTM Cash from investing activities -32.77 M-104 K-42.97 M-11.98 M-181.57 M -104 M Cash from financing activities 213.66 M-19.68 M3.71 M4.33 M6.7 M -5.05 M Free cash flow 55.06 M47.2 M80.78 M109.28 M163.4 M 131.13 M